Christie Hoffer

Christie is a Director in Investment Management at First National Bank Wealth Management. Her primary responsibility is managing portfolios for personal and institutional clients.

Credentials

Christie joined First National Bank in 1990 as a Credit Analyst in Commercial Lending. Since 1991, she has managed diversified investment accounts for institutional and individual clients. She has extensive experience in managing fixed income portfolios and directs several large, fixed income portfolios, as well as fixed/equity-blend accounts and full equity accounts.

Christie holds the Chartered Financial Analyst (CFA) designation and is an active member of the CFA Institute and the CFA Society of Colorado. She earned both her bachelor and master degrees from Texas Tech University. Prior to First National Bank, Christie was a certified public accountant with Ernst and Young in Dallas, TX.

Passions

Outside of the office, Christie can be found spending quality time with her family or volunteering at church events. She especially enjoys camping with family and friends, volunteering in support of kids’ activities, hanging out with girlfriends, and taking memorable trips to interesting destinations with her teenage sons.

"I strive to do the best things on behalf of my family and clients to help them achieve long-term success."

“FNBO Wealth” is a brand name that refers to First National Bank of Omaha (“FNBO”) and certain of its affiliates and subsidiaries that provide or make available trust, investment, securities brokerage, investment advisory, banking, and related services.

Trust and related services are provided by FNBO, a national bank with trust powers.

Certain trust and related services are also provided by FNN Trust Company, a South Dakota state-chartered trust company and wholly-owned subsidiary of FNBO.  FNN Trust Company does not offer depository, lending, or other banking products, and is not FDIC insured.

“First Investments & Planning” refers to a division of FNBO that makes available third-party brokerage and investment advisory products and related services on bank premises.  Brokerage services are offered through Raymond James Financial Services, Inc. (“RJFS”), a registered broker-dealer.  Member FINRA/SIPC.  Investment advisory services are offered through Raymond James Financial Services Advisors, Inc. (“RJFSA”), a registered investment adviser.  Insurance products are offered through RJFS, Raymond James Insurance Group, Inc. (“RJIG”), and their affiliates.  Registered representatives of RJFS and investment adviser representatives of RJFSA offer products and services using the name First Investments & Planning and may also be employees of FNBO.  These products and services are being offered through RJFS, RJFSA, RJIG, or their affiliates, which are separate entities from, and not affiliated with, FNBO or any of its subsidiaries or affiliates.  FNBO is not registered as a broker-dealer or investment adviser.

Certain investment advisory services are provided by First National Advisers, LLC (“FNA”), with certain services provided through FNA doing business as Private Wealth Reserve, an SEC-registered investment adviser and wholly-owned subsidiary of FNBO.  FNBO is not a registered investment adviser.

Deposit products, such as checking, savings, and money market accounts, and lending, credit, and related products are offered by FNBO.  Member FDIC.  Equal Housing Lender.

Only deposit products are FDIC insured.

INVESTMENT AND INSURANCE PRODUCTS ARE: • NOT FDIC INSURED • NOT A DEPOSIT OR OTHER OBLIGATION OF, OR GUARANTEED BY, FNBO OR ANY OF ITS SUBSIDIARIES OR AFFILIATES • MAY LOSE VALUE


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